WEDGE Capital Management L

WEDGE Capital Management L as of March 31, 2012

Portfolio Holdings for WEDGE Capital Management L

WEDGE Capital Management L holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

                TITLE OF              VALUE     SHARES   SH/ PUT/ INV OTHER      VOTING AUTHORITY
          NAME OF ISSUER            CLASS      CUSIP    (x$1000)   PRN AMT  PRN CALL DISC MGRS   SOLE  SHARED   NONE
               {S}                   {C}        {C}       {C}        {C}    {C}  {C} {C}  {C}    {C}     {C}     {C}
3M CO                             COMMON     88579Y101      45974     515343 SH      SOLE        431658      0    83685
AARON'S INC                       COMMON     002535300      13405     517554 SH      SOLE        475783      0    41771
ABB LTD SPONSORED ADR             COMMON     000375204      17409     852945 SH      SOLE        646595      0   206350
ABBOTT LABS                       COMMON     002824100      35677     582095 SH      SOLE        436520      0   145575
ACCENTURE PLC                     COMMON     G1151C101      57593     892912 SH      SOLE        672910      0   220002
ACE LIMITED                       COMMON     H0023R105      21923     299500 SH      SOLE        226353      0    73147
ACTUATE CORP                      COMMON     00508B102        869     138388 SH      SOLE        138388      0        0
ADVANCE AMER CASH ADVANCE CTCO    COMMON     00739W107        679      64725 SH      SOLE         64725      0        0
ADVANCE AUTO PARTS INC            COMMON     00751Y106      26012     293690 SH      SOLE        221490      0    72200
AETNA INC                         COMMON     00817Y108      36062     718949 SH      SOLE        541335      0   177614
AFC ENTERPRISES INC               COMMON     00104Q107       8832     520733 SH      SOLE        478843      0    41890
AIR METHODS CORP                  COMMON     009128307      36086     413589 SH      SOLE        379399      0    34190
AIR PRODS & CHEMS INC             COMMON     009158106       8191      89224 SH      SOLE         67302      0    21922
AIR TRANSPORT SERVICES GRP ICO    COMMON     00922R105        423      73100 SH      SOLE         73100      0        0
ALAMO GROUP INC                   COMMON     011311107        573      19059 SH      SOLE         19059      0        0
ALCATEL-LUCENT SPONSORED ADR      COMMON     013904305        373     164100 SH      SOLE        164100      0        0
ALCOA INC                         COMMON     013817101       7831     781537 SH      SOLE        589352      0   192185
ALLIANCE DATA SYSTEMS CORP        COMMON     018581108      58544     464780 SH      SOLE        350100      0   114680
ALLIANT ENERGY CORP COM           COMMON     018802108        375       8650 SH      SOLE          8650      0        0
ALLSTATE CORP                     COMMON     020002101     109980    3340821 SH      SOLE       2767731      0   573090
ALTERRA CAPITAL HOLDINGS LTD      COMMON     G0229R108      12472     542716 SH      SOLE        497256      0    45460
AMEREN CORP                       COMMON     023608102      14500     445048 SH      SOLE        339295      0   105753
AMERICAN ELECTRIC POWER           COMMON     025537101      13682     354650 SH      SOLE        264250      0    90400
AMERICAN FINL GROUP INC OHIOCO    COMMON     025932104        226       5850 SH      SOLE          5850      0        0
AMERICAN GREETINGS CORP           COMMON     026375105      14690     957632 SH      SOLE        881025      0    76607
AMERICAN SOFTWARE INC             COMMON     029683109        567      66150 SH      SOLE         66150      0        0
AMERIPRISE FINANCIAL INC          COMMON     03076C106      22316     390610 SH      SOLE        294169      0    96441
AMERISAFE INC COM                 COMMON     03071H100        445      17975 SH      SOLE         17975      0        0
AMERISOURCEBERGEN CORP            COMMON     03073E105      34385     866982 SH      SOLE        655497      0   211485
AMGEN INC                         COMMON     031162100      32546     478828 SH      SOLE        360228      0   118600
AMPHENOL CORPORATION              COMMON     032095101      56361     942972 SH      SOLE        711667      0   231305
ANAREN INC                        COMMON     032744104        872      47525 SH      SOLE         47525      0        0
ANGIODYNAMICS INC                 COMMON     03475V101        682      55675 SH      SOLE         55675      0        0
ANN INC COM                       COMMON     035623107        223       7800 SH      SOLE          7800      0        0
APACHE CORP                       COMMON     037411105      31665     315260 SH      SOLE        251260      0    64000
APOGEE ENTERPRISES INC            COMMON     037598109        397      30670 SH      SOLE         30670      0        0
APPLE COMPUTER INC                COMMON     037833100      59111      98592 SH      SOLE         74070      0    24522
APPLIED INDL TECHNOLOGIES INCO    COMMON     03820C105        230       5600 SH      SOLE          5600      0        0
APTARGROUP INC                    COMMON     038336103      59430    1085084 SH      SOLE        949741      0   135343
ARCHER DANIELS MIDLAND            COMMON     039483102       8434     266382 SH      SOLE        200962      0    65420
ARCHIPELAGO LEARNING INC COM      COMMON     03956P102        475      42725 SH      SOLE         42725      0        0
ARCTIC CAT INC                    COMMON     039670104        967      22575 SH      SOLE         22575      0        0
ARGO GROUP INTL HLDGS LTD         COMMON     G0464B107      17440     583848 SH      SOLE        537388      0    46460
ARRIS GROUP INC COM               COMMON     04269Q100        154      13600 SH      SOLE         13600      0        0
ASML HOLDING NV                   COMMON     N07059186      58588    1168495 SH      SOLE        881920      0   286575
ASPEN INSURANCE HOLDINGS LTDSH    COMMON     G05384105      20977     750798 SH      SOLE        687943      0    62855
ASSISTED LIVING CONCEPTS INC      COMMON     04544X300        879      52900 SH      SOLE         52900      0        0
ASSOCIATED ESTATES RLTY CORPCO    COMMON     045604105       4041     247324 SH      SOLE        229666      0    17658
ASSURANT INC                      COMMON     04621X108      38003     938349 SH      SOLE        773913      0   164436
ASTRAZENECA PLC                   COMMON     046353108      31419     706212 SH      SOLE        533555      0   172657
ATMOS ENERGY CORP                 COMMON     049560105        244       7750 SH      SOLE          7750      0        0
AUTODESK INC COM                  COMMON     052769106        324       7650 SH      SOLE          7650      0        0
AUTOLIV INC                       COMMON     052800109      18509     276044 SH      SOLE        208805      0    67239
AUTOMATIC DATA PROCESSING         COMMON     053015103      11321     205125 SH      SOLE        187050      0    18075
AUTOZONE INC                      COMMON     053332102      24762      66601 SH      SOLE         50475      0    16126
BAKER MICHAEL CORP                COMMON     057149106        822      34450 SH      SOLE         34450      0        0
BALL CORP                         COMMON     058498106       8687     202588 SH      SOLE        152565      0    50023
BANCFIRST CORP                    COMMON     05945F103       1008      23149 SH      SOLE         22234      0      915
BANK HAWAII CORP                  COMMON     062540109      63347    1310183 SH      SOLE       1107458      0   202725
BANK OF AMERICA CORP              COMMON     060505104      11920    1245595 SH      SOLE       1133170      0   112425
BANK OF MARIN BANCORP             COMMON     063425102        640      16850 SH      SOLE         16850      0        0
BBCN BANCORP INC                  COMMON     073295107      11209    1007140 SH      SOLE        923283      0    83857
BED BATH & BEYOND INC             COMMON     075896100      24970     379661 SH      SOLE        285295      0    94366
BEL FUSE INC                      COMMON     077347300       4684     265093 SH      SOLE        245018      0    20075
BELDEN INC                        COMMON     077454106      15288     403272 SH      SOLE        369902      0    33370
BEMIS INC                         COMMON     081437105      62552    1937187 SH      SOLE       1592217      0   344970
BENIHANA INC COM                  COMMON     082047101        500      38300 SH      SOLE         38300      0        0
BERKSHIRE HATHAWAY INC            COMMON     084670702      26022     320660 SH      SOLE        291260      0    29400
BERRY PETE CO                     COMMON     085789105      12953     274830 SH      SOLE        252360      0    22470
BIG LOTS INC                      COMMON     089302103      23620     549045 SH      SOLE        414320      0   134725
BIOMED REALTY TRUST INC           COMMON     09063H107      14701     774537 SH      SOLE        710827      0    63710
BLACK BOX CORP                    COMMON     091826107      12052     472453 SH      SOLE        434793      0    37660
BLOCK H & R INC                   COMMON     093671105       9583     581855 SH      SOLE        527755      0    54100
BMC SOFTWARE INC COM              COMMON     055921100        319       7950 SH      SOLE          7950      0        0
BOLT TECHNOLOGY CORP              COMMON     097698104        246      15900 SH      SOLE         15900      0        0
BP plc ADR                        COMMON     055622104      45167    1003716 SH      SOLE        840399      0   163317
BRINKER INTL INC                  COMMON     109641100        215       7800 SH      SOLE          7800      0        0
BRISTOL MYERS SQUIBB CO           COMMON     110122108      34618    1025730 SH      SOLE        772380      0   253350
BROOKFIELD RESIDENTIAL PPTYS      COMMON     11283W104      12852    1214735 SH      SOLE       1112320      0   102415
BRUNSWICK CORP                    COMMON     117043109      94435    3667368 SH      SOLE       2981583      0   685785
BUNGE LIMITED                     COMMON     G16962105       8595     125585 SH      SOLE         94045      0    31540
CA TECHNOLOGIES                   COMMON     12673P105      58406    2119248 SH      SOLE       1596130      0   523118
CABLEVISION SYS CORP              COMMON     12686C109        181      12350 SH      SOLE         12350      0        0
CABOT CORP                        COMMON     127055101      25428     595793 SH      SOLE        547607      0    48186
CACHE INC                         COMMON     127150308        659      94072 SH      SOLE         94072      0        0
CACI INTL INC                     COMMON     127190304      16161     259450 SH      SOLE        237250      0    22200
CAI INTERNATIONAL INC             COMMON     12477X106        771      42425 SH      SOLE         42425      0        0
CAL DIVE INTL INC DEL COM         COMMON     12802T101       1398     423780 SH      SOLE        375181      0    48599
CALLON PETE CO DEL COM            COMMON     13123X102        375      59600 SH      SOLE         59600      0        0
CAMBREX CORP                      COMMON     132011107       4330     619406 SH      SOLE        565786      0    53620
CAMPUS CREST COMMUNITIES          COMMON     13466Y105       7300     626046 SH      SOLE        572588      0    53458
CANTEL MEDICAL CORP               COMMON     138098108        961      38312 SH      SOLE         38312      0        0
CAPITAL ONE FINANCIAL CORP        COMMON     14040H105      25067     449719 SH      SOLE        336620      0   113099
CAPSTEAD MORTGAGE CORP            COMMON     14067E506      19944    1521295 SH      SOLE       1237625      0   283670
CARDINAL FINANCIAL CORP           COMMON     14149F109        672      59500 SH      SOLE         59500      0        0
CARDINAL HEALTH INC               COMMON     14149Y108      33788     783764 SH      SOLE        590775      0   192989
CAREER EDUCATION CORP             COMMON     141665109         85      10500 SH      SOLE         10500      0        0
CARLISLE COMPANIES INC            COMMON     142339100     101094    2025123 SH      SOLE       1716930      0   308193
CARROLS RESTAURANT GROUP INCCO    COMMON     14574X104        530      34750 SH      SOLE         34750      0        0
CASCADE CORP                      COMMON     147195101      12342     246255 SH      SOLE        227720      0    18535
CATHAY GENERAL BANCORP            COMMON     149150104       8402     474665 SH      SOLE        434679      0    39986
CBS CORP                          COMMON     124857202      27185     801670 SH      SOLE        604945      0   196725
CEC ENTERTAINMENT INC             COMMON     125137109      19332     509935 SH      SOLE        468845      0    41090
CELADON GROUP INC                 COMMON     150838100        865      55605 SH      SOLE         55605      0        0
CELANESE CORP                     COMMON     150870103       7909     171272 SH      SOLE        128826      0    42446
CF INDS HLDGS INC                 COMMON     125269100       8063      44144 SH      SOLE         33190      0    10954
CHECKPOINT SYSTEMS INC            COMMON     162825103      10121     897224 SH      SOLE        823579      0    73645
CHESAPEAKE UTILS CORP             COMMON     165303108        834      20275 SH      SOLE         20275      0        0
CHEVRON CORPORATION               COMMON     166764100      51249     478029 SH      SOLE        397000      0    81029
CHICAGO BRIDGE & IRON CO N.V.     COMMON     167250109      44926    1040187 SH      SOLE        955377      0    84810
CHICOS FAS INC                    COMMON     168615102      15494    1026085 SH      SOLE        951140      0    74945
CHUBB CORP                        COMMON     171232101      21476     310755 SH      SOLE        235212      0    75543
CINCINNATI BELL INC               COMMON     171871106         55      13650 SH      SOLE         13650      0        0
CLIFFS NATURAL RESOURCES INC      COMMON     18683K101       8340     120412 SH      SOLE         89675      0    30737
COHU INC COM                      COMMON     192576106        390      34325 SH      SOLE         34325      0        0
COLE KENNETH PRODTNS INC          COMMON     193294105        884      54935 SH      SOLE         54935      0        0
COLONY FINL INC                   COMMON     19624R106        900      54942 SH      SOLE         51873      0     3069
COLUMBUS MCKINNON CORP            COMMON     199333105        821      50400 SH      SOLE         50400      0        0
COMMERCE BANCSHARES INC           COMMON     200525103       5284     130410 SH      SOLE        120147      0    10263
COMMUNITY TRUST BANCORP INC       COMMON     204149108        971      30291 SH      SOLE         30291      0        0
COMPUTER SCIENCES CORP            COMMON     205363104      79243    2646731 SH      SOLE       2166295      0   480436
COMPUTER TASK GROUP INC           COMMON     205477102        440      28700 SH      SOLE         28700      0        0
COMSTOCK RESOURCES INC            COMMON     205768203      15936    1006706 SH      SOLE        927158      0    79548
COMTECH TELECOMMUNICATIONS        COMMON     205826209      50146    1539176 SH      SOLE       1288989      0   250187
CONOCOPHILLIPS                    COMMON     20825C104      24674     324609 SH      SOLE        242560      0    82049
CONVERGYS CORP                    COMMON     212485106      58963    4416676 SH      SOLE       3704661      0   712015
CORE MARK HOLDING CO INC COM      COMMON     218681104        417      10183 SH      SOLE         10183      0        0
CORN PRODS INTL INC               COMMON     219023108       8303     144030 SH      SOLE        108575      0    35455
COVANCE INC                       COMMON     222816100      24629     517093 SH      SOLE        475508      0    41585
COVANTA HLDG CORP COM             COMMON     22282E102        230      14200 SH      SOLE         14200      0        0
COVENTRY HEALTH CARE INC COM      COMMON     222862104        256       7200 SH      SOLE          7200      0        0
CRA INTL INC                      COMMON     12618T105       7165     284094 SH      SOLE        264731      0    19363
CRANE CO                          COMMON     224399105        291       6000 SH      SOLE          6000      0        0
CRAWFORD & CO CL B                COMMON     224633107        446      90950 SH      SOLE         90950      0        0
CROSS CTRY HEALTHCARE INC COM     COMMON     227483104        453      90400 SH      SOLE         90400      0        0
CROWN HOLDINGS INC                COMMON     228368106        217       5900 SH      SOLE          5900      0        0
CTS CORP COM                      COMMON     126501105        883      83950 SH      SOLE         83950      0        0
CULLEN FROST BANKERS INC COM      COMMON     229899109        233       4000 SH      SOLE          4000      0        0
CUMMINS ENGINE INC                COMMON     231021106      18890     157364 SH      SOLE        118362      0    39002
CVB FINANCIAL CORP                COMMON     126600105      10826     922187 SH      SOLE        844795      0    77392
CYS INVESTMENTS INC               COMMON     12673A108      14521    1109351 SH      SOLE       1016576      0    92775
DANA HOLDING CORP                 COMMON     235825205      38952    2513050 SH      SOLE       2312030      0   201020
DARDEN RESTAURANTS INC            COMMON     237194105      46011     899352 SH      SOLE        729197      0   170155
DATALINK CORP COM                 COMMON     237934104        626      65800 SH      SOLE         65800      0        0
DDI CORP COM 0.0001 NEW           COMMON     233162502        231      18950 SH      SOLE         18950      0        0
DEAN FOODS CO NEW COM             COMMON     242370104        136      11200 SH      SOLE         11200      0        0
DELL INC                          COMMON     24702R101      49824    3002325 SH      SOLE       2269175      0   733150
DELPHI FINL GROUP INC             COMMON     247131105       7572     169138 SH      SOLE        155283      0    13855
DESTINATION MATERNITY CORP COM    COMMON     25065D100        662      35641 SH      SOLE         35641      0        0
DIGI INTL INC                     COMMON     253798102        833      75766 SH      SOLE         75766      0        0
DIGIMARC CORP NEW COM             COMMON     25381B101        210       7500 SH      SOLE          7500      0        0
DILLARDS INC                      COMMON     254067101        284       4500 SH      SOLE          4500      0        0
DISCOVER FINANCIAL SVCS           COMMON     254709108      24936     747920 SH      SOLE        562970      0   184950
DOLLAR TREE INC                   COMMON     256746108      25609     271021 SH      SOLE        204322      0    66699
DONNELLEY R R & SONS CO           COMMON     257867101      76035    6136787 SH      SOLE       4970386      0  1166401
DOVER CORP                        COMMON     260003108      71406    1134514 SH      SOLE        932154      0   202360
DOW CHEMICAL CORP                 COMMON     260543103       8238     237813 SH      SOLE        178878      0    58935
DSP GROUP INC                     COMMON     23332B106        646      97050 SH      SOLE         97050      0        0
DTE ENERGY CO                     COMMON     233331107      13599     247125 SH      SOLE        186550      0    60575
DUKE REALTY CORP                  COMMON     264411505      92178    6428007 SH      SOLE       5249999      0  1178008
DUPONT EI DE NEMOURS CO           COMMON     263534109       8322     157313 SH      SOLE        118215      0    39098
EAGLE BANCORP INC                 COMMON     268948106        214      12800 SH      SOLE         12800      0        0
EASTMAN CHEM CO                   COMMON     277432100       7676     148496 SH      SOLE        112430      0    36066
EATON CORP                        COMMON     278058102      17582     352842 SH      SOLE        266081      0    86761
EBIX INC                          COMMON     278715206      27056    1168215 SH      SOLE       1071995      0    96220
EDISON INTL                       COMMON     281020107      20932     492397 SH      SOLE        394725      0    97672
EINSTEIN NOAH REST GROUP INCCO    COMMON     28257U104        624      41850 SH      SOLE         41850      0        0
EL PASO ELECTRIC CO               COMMON     283677854      29699     914103 SH      SOLE        839635      0    74468
ELECTRO RENT CORP                 COMMON     285218103        496      26925 SH      SOLE         26925      0        0
EMCOR GROUP INC                   COMMON     29084Q100        231       8350 SH      SOLE          8350      0        0
ENCANA CORP                       COMMON     292505104      22543    1147223 SH      SOLE        864135      0   283088
ENDURANCE SPECIALTY HLDGS LTD     COMMON     G30397106      27053     665340 SH      SOLE        609780      0    55560
ENERGEN CORP                      COMMON     29265N108      20448     416039 SH      SOLE        340106      0    75933
ENERSYS                           COMMON     29275Y102      34163     985949 SH      SOLE        909213      0    76736
ENI SPA ADR                       COMMON     26874R108      24251     517958 SH      SOLE        386483      0   131475
ENNIS INC                         COMMON     293389102        600      37900 SH      SOLE         37900      0        0
ENSIGN GROUP INC                  COMMON     29358P101      10291     378894 SH      SOLE        349579      0    29315
ENSTAR GROUP LIMITED              COMMON     G3075P101       5411      54660 SH      SOLE         50375      0     4285
ENTERGY CORP                      COMMON     29364G103      14244     211965 SH      SOLE        159475      0    52490
ENTERTAINMENT PPTYS TRUST         COMMON     29380T105      34727     748742 SH      SOLE        637717      0   111025
EQUITY LIFESTYLE PPTYS INC COM    COMMON     29472R108       8780     125902 SH      SOLE        115645      0    10257
EVEREST RE GROUP LTD              COMMON     G3223R108        291       3150 SH      SOLE          3150      0        0
EXPONENT INC                      COMMON     30214U102        821      16930 SH      SOLE         16930      0        0
EXXON MOBIL CORP                  COMMON     30231G102      51374     592347 SH      SOLE        492177      0   100170
FAIR ISAAC CORP                   COMMON     303250104       3257      74198 SH      SOLE         68518      0     5680
FAMOUS DAVE'S OF AMERICA          COMMON     307068106        224      19325 SH      SOLE         19325      0        0
FEDEX CORP                        COMMON     31428X106      15623     169890 SH      SOLE        160790      0     9100
FIFTH THIRD BANCORP               COMMON     316773100      22249    1584155 SH      SOLE       1199330      0   384825
FINANCIAL INSTNS INC              COMMON     317585404        412      25475 SH      SOLE         25475      0        0
FIRST MERCHANTS CORP              COMMON     320817109        470      38100 SH      SOLE         38100      0        0
FIRST MIDWEST BANCORP             COMMON     320867104      19850    1656910 SH      SOLE       1522023      0   134887
FIRST NIAGARA FINL GP INC         COMMON     33582V108      40390    4104641 SH      SOLE       3562466      0   542175
FIRSTENERGY CORP                  COMMON     337932107      14728     323047 SH      SOLE        242827      0    80220
FLUOR CORP                        COMMON     343412102      18395     306377 SH      SOLE        231320      0    75057
FLUSHING FINANCIAL CORP           COMMON     343873105       8183     607950 SH      SOLE        564475      0    43475
FNB CORP                          COMMON     302520101      13819    1143920 SH      SOLE       1049996      0    93924
FOOT LOCKER INC                   COMMON     344849104      46472    1496669 SH      SOLE       1235589      0   261080
FOSTER L B CO                     COMMON     350060109        631      22150 SH      SOLE         22150      0        0
FRANKLIN RESOURCES INC            COMMON     354613101      23754     191518 SH      SOLE        144885      0    46633
FRED'S INC                        COMMON     356108100        451      30850 SH      SOLE         30850      0        0
FULLER H B CO                     COMMON     359694106      20686     630094 SH      SOLE        579419      0    50675
FULTON FINANCIAL CORP             COMMON     360271100      15666    1491956 SH      SOLE       1368271      0   123685
FURMANITE CORPORATION             COMMON     361086101        635      98862 SH      SOLE         98862      0        0
GANNETT INC                       COMMON     364730101        182      11900 SH      SOLE         11900      0        0
GARDNER DENVER MACHY INC COM      COMMON     365558105        397       6300 SH      SOLE          6300      0        0
GENERAL CABLE CORP                COMMON     369300108      44622    1534453 SH      SOLE       1409105      0   125348
GENERAL DYNAMICS CORP COM         COMMON     369550108      13136     179015 SH      SOLE        168015      0    11000
GIBRALTAR INDUSTRIES INC          COMMON     374689107        459      30275 SH      SOLE         30275      0        0
GLAXOSMITHKLINE PLC               COMMON     37733W105      10441     232484 SH      SOLE        216059      0    16425
GLOBAL PAYMENTS INC               COMMON     37940X102      18841     396643 SH      SOLE        364058      0    32585
GLOBECOMM SYSTEMS INC COM         COMMON     37956X103        800      55250 SH      SOLE         55250      0        0
GOLDMAN SACHS GROUP INC           COMMON     38141G104      23998     192955 SH      SOLE        145474      0    47481
GP STRATEGIES CORP                COMMON     36225V104        470      26849 SH      SOLE         26849      0        0
GRACO INC                         COMMON     384109104      19673     370777 SH      SOLE        341227      0    29550
GREAT PLAINS ENERGY INC COM       COMMON     391164100      26069    1286100 SH      SOLE       1047665      0   238435
GREAT SOUTHERN BANCORP INC        COMMON     390905107        290      12100 SH      SOLE         12100      0        0
GREATBATCH INC                    COMMON     39153L106       3850     156996 SH      SOLE        144179      0    12817
GULF ISLAND FABRICATION INC       COMMON     402307102        850      29041 SH      SOLE         29041      0        0
G^K SERVICES INC                  COMMON     361268105       4908     143501 SH      SOLE        133337      0    10164
HACKETT GROUP INC                 COMMON     404609109        261      43800 SH      SOLE         43800      0        0
HANCOCK HLDG CO                   COMMON     410120109       4203     118365 SH      SOLE        108425      0     9940
HANGER ORTHOPEDIC GROUP INC       COMMON     41043F208      18532     847750 SH      SOLE        781195      0    66555
HARLEY DAVIDSON INC               COMMON     412822108      12038     245280 SH      SOLE        222980      0    22300
HARSCO CORP                       COMMON     415864107      27287    1163124 SH      SOLE       1067151      0    95973
HARTFORD FINANCIAL SVCS GROUP     COMMON     416515104      24047    1140757 SH      SOLE        856380      0   284377
HASBRO INC                        COMMON     418056107        307       8350 SH      SOLE          8350      0        0
HAVERTY FURNITURE COS INC COM     COMMON     419596101        384      34550 SH      SOLE         34550      0        0
HCA HOLDINGS INC COM              COMMON     40412C101      11333     458100 SH      SOLE        372754      0    85346
HCC INSURANCE HLDGS INC           COMMON     404132102      73990    2373757 SH      SOLE       1969907      0   403850
HEALTH CARE REIT INC              COMMON     42217K106      43833     797543 SH      SOLE        649357      0   148186
HEALTHWAYS INC                    COMMON     422245100       2147     291743 SH      SOLE        267275      0    24468
HEARTLAND FINL USA INC            COMMON     42234Q102        233      13425 SH      SOLE         13425      0        0
HEIDRICK & STRUGGLES INTL INCO    COMMON     422819102        427      19400 SH      SOLE         19400      0        0
HELMERICH & PAYNE INC             COMMON     423452101      21945     406765 SH      SOLE        307340      0    99425
HEWLETT PACKARD CO                COMMON     428236103      15771     661832 SH      SOLE        596426      0    65406
HILL-ROM HOLDINGS INC             COMMON     431475102      11923     356855 SH      SOLE        328036      0    28819
HOME DEPOT INC COM                COMMON     437076102      26114     519065 SH      SOLE        391090      0   127975
HONEYWELL INTL INC                COMMON     438516106      21062     344990 SH      SOLE        308990      0    36000
HOOKER FURNITURE CORP             COMMON     439038100        473      34685 SH      SOLE         34685      0        0
HOT TOPIC INC COM                 COMMON     441339108        109      10700 SH      SOLE         10700      0        0
HUDSON CITY BANCORP COM           COMMON     443683107        237      32450 SH      SOLE         32450      0        0
HUMANA INC                        COMMON     444859102      35426     383070 SH      SOLE        288350      0    94720
HURCO COMPANIES INC               COMMON     447324104        891      31550 SH      SOLE         31550      0        0
I B M                             COMMON     459200101      77941     373550 SH      SOLE        297569      0    75981
IAC INTERACTIVECORP               COMMON     44919P508      26454     538890 SH      SOLE        405315      0   133575
IDT CORP CL B NEW                 COMMON     448947507        461      49400 SH      SOLE         49400      0        0
IMATION CORP                      COMMON     45245A107         94      15150 SH      SOLE         15150      0        0
INFOSPACE INC COM PAR $.0001      COMMON     45678T300        638      49775 SH      SOLE         49775      0        0
INSIGHT ENTERPRISES INC           COMMON     45765U103      18800     857275 SH      SOLE        790955      0    66320
INTEGRATED DEVICE TECHNOLOGYCO    COMMON     458118106      46847    6552018 SH      SOLE       6024987      0   527031
INTEL CORP                        COMMON     458140100      27007     960587 SH      SOLE        875512      0    85075
INTER PARFUMS INC                 COMMON     458334109        591      37697 SH      SOLE         37697      0        0
INTERNATIONAL PAPER CO            COMMON     460146103       8302     236532 SH      SOLE        176905      0    59627
INTERPUBLIC GROUP COS INC         COMMON     460690100        304      26650 SH      SOLE         26650      0        0
INTUIT INC.                       COMMON     461202103      54321     902943 SH      SOLE        681330      0   221613
ITRON INC COM                     COMMON     465741106        202       4450 SH      SOLE          4450      0        0
IXYS CORP                         COMMON     46600W106        907      68712 SH      SOLE         68712      0        0
J P MORGAN CHASE & CO             COMMON     46625H100      55626    1209777 SH      SOLE       1014048      0   195729
JMP GROUP INC                     COMMON     46629U107        262      35550 SH      SOLE         35550      0        0
JOHNSON CONTROLS INC              COMMON     478366107      17685     544480 SH      SOLE        411693      0   132787
JOHNSON OUTDOORS INC CL A         COMMON     479167108        250      13075 SH      SOLE         13075      0        0
JOHNSON & JOHNSON                 COMMON     478160104      53883     816900 SH      SOLE        665815      0   151085
JOY GLOBAL INC                    COMMON     481165108      17744     241414 SH      SOLE        182135      0    59279
KBR INC                           COMMON     48242W106      18838     529891 SH      SOLE        398045      0   131846
KENNAMETAL INC                    COMMON     489170100      22028     494680 SH      SOLE        454530      0    40150
KEYCORP                           COMMON     493267108      22425    2638273 SH      SOLE       1988478      0   649795
KIMBERLY CLARK CORP               COMMON     494368103      19851     268652 SH      SOLE        244727      0    23925
KITE RLTY GROUP TR                COMMON     49803T102        447      84750 SH      SOLE         84750      0        0
KNOLL INC                         COMMON     498904200       5461     328202 SH      SOLE        301737      0    26465
KRAFT FOODS INC                   COMMON     50075N104      10497     276165 SH      SOLE        250165      0    26000
LAKELAND FINANCIAL CORP           COMMON     511656100       7420     285037 SH      SOLE        264116      0    20921
LA-Z-BOY INC                      COMMON     505336107      16799    1122949 SH      SOLE       1036626      0    86323
LEAPFROG ENTERPRISES INC CL A     COMMON     52186N106        485      58000 SH      SOLE         58000      0        0
LEGG MASON INC                    COMMON     524901105      21499     769740 SH      SOLE        698740      0    71000
LEGGETT & PLATT INC               COMMON     524660107        232      10100 SH      SOLE         10100      0        0
LEXMARK INTL INC                  COMMON     529771107      14818     445797 SH      SOLE        410442      0    35355
LIFE TECHNOLOGIES CORP            COMMON     53217V109      45707     936230 SH      SOLE        761625      0   174605
LIFE TIME FITNESS INC             COMMON     53217R207      10565     208909 SH      SOLE        191937      0    16972
LIFETIME BRANDS INC               COMMON     53222Q103        204      18150 SH      SOLE         18150      0        0
LINCOLN NATL CORP                 COMMON     534187109     146881    5572109 SH      SOLE       4553810      0  1018299
LMI AEROSPACE INC COM             COMMON     502079106        377      20700 SH      SOLE         20700      0        0
LOCKHEED MARTIN CORP              COMMON     539830109      13204     146945 SH      SOLE        137945      0     9000
LORILLARD INC                     COMMON     544147101      32192     248627 SH      SOLE        186667      0    61960
LOWES COS INC                     COMMON     548661107      12719     405320 SH      SOLE        369345      0    35975
LTC PPTYS INC                     COMMON     502175102       7405     231414 SH      SOLE        212154      0    19260
LTX-CREDENCE CORP COM NEW         COMMON     502403207        438      60900 SH      SOLE         60900      0        0
M & T BK CORP                     COMMON     55261F104      44406     511115 SH      SOLE        414870      0    96245
MACK-CALI REALTY CORP             COMMON     554489104       5253     182255 SH      SOLE        167270      0    14985
MACY'S INC                        COMMON     55616P104      25773     648698 SH      SOLE        487770      0   160928
MAIDENFORM BRANDS INC             COMMON     560305104        436      19350 SH      SOLE         19350      0        0
MARCUS CORP                       COMMON     566330106        881      70175 SH      SOLE         70175      0        0
MARTEN TRANS LTD                  COMMON     573075108        653      29575 SH      SOLE         29575      0        0
MATERION CORPORATION              COMMON     576690101        883      30725 SH      SOLE         30725      0        0
MB FINANCIAL INC                  COMMON     55264U108      10482     499375 SH      SOLE        461314      0    38061
MCDERMOTT INTL INC COM            COMMON     580037109        216      16850 SH      SOLE         16850      0        0
MCKESSON CORPORATION              COMMON     58155Q103      33687     383815 SH      SOLE        288715      0    95100
MEADOWBROOK INSURANCE GROUP       COMMON     58319P108        827      88683 SH      SOLE         88683      0        0
MEDALLION FINANCIAL CORP          COMMON     583928106        125      11200 SH      SOLE         11200      0        0
MEDTOX SCIENTIFIC INC             COMMON     584977201        224      13275 SH      SOLE         13275      0        0
MERCK & COMPANY                   COMMON     58933Y105      24660     642195 SH      SOLE        577045      0    65150
METHODE ELECTRONICS               COMMON     591520200        831      89568 SH      SOLE         89568      0        0
METLIFE INC                       COMMON     59156R108      39605    1060366 SH      SOLE        873272      0   187094
METROPOLITAN HEALTH NETWORKS      COMMON     592142103        740      78965 SH      SOLE         78965      0        0
MET-PRO CORP                      COMMON     590876306        694      65677 SH      SOLE         65677      0        0
MFA FINANCIAL INC                 COMMON     55272X102       9490    1270461 SH      SOLE       1165826      0   104635
MIDAS GROUP INC                   COMMON     595626102        525      45729 SH      SOLE         45729      0        0
MILLER INDS INC TENN              COMMON     600551204        629      37175 SH      SOLE         37175      0        0
MINERALS TECHNOLOGIES INC         COMMON     603158106      15576     238135 SH      SOLE        219070      0    19065
MISSION WEST PPTYS INC            COMMON     605203108        210      21294 SH      SOLE         21294      0        0
MITCHAM INDS INC COM              COMMON     606501104        391      17400 SH      SOLE         17400      0        0
MONRO MUFFLER BRAKE INC           COMMON     610236101       9793     236044 SH      SOLE        217483      0    18561
MOOG INC                          COMMON     615394202      19618     457411 SH      SOLE        419724      0    37687
MOVADO GROUP INC COM              COMMON     624580106        487      19825 SH      SOLE         19825      0        0
MULTI COLOR CORP                  COMMON     625383104        424      18825 SH      SOLE         18825      0        0
MULTIMEDIA GAMES HLDG CO INCCO    COMMON     625453105        436      39800 SH      SOLE         39800      0        0
MULTI-FINELINE ELECTRONIX         COMMON     62541B101        205       7475 SH      SOLE          7475      0        0
MURPHY OIL CORP                   COMMON     626717102      40792     724940 SH      SOLE        581465      0   143475
MYERS INDUSTRIES INC              COMMON     628464109       6961     471915 SH      SOLE        440860      0    31055
NABORS INDUSTRIES LTD             COMMON     G6359F103      21880    1250992 SH      SOLE        944523      0   306469
NASH FINCH CO                     COMMON     631158102        401      14100 SH      SOLE         14100      0        0
NATIONAL BANKSHARES INC           COMMON     634865109        674      22400 SH      SOLE         22400      0        0
NATIONAL PENN BANCSHARES          COMMON     637138108      14233    1608228 SH      SOLE       1482323      0   125905
NATIONAL-OILWELL VARCO, INC       COMMON     637071101      24791     311955 SH      SOLE        235365      0    76590
NATURAL GAS SERVICES GROUP COM    COMMON     63886Q109        383      29000 SH      SOLE         29000      0        0
NAVIGANT CONSULTING INC           COMMON     63935N107      18801    1351620 SH      SOLE       1246511      0   105109
NAVISTAR INTL CORP                COMMON     63934E108      17954     443859 SH      SOLE        333775      0   110084
NEWPARK RES INC                   COMMON     651718504        118      14450 SH      SOLE         14450      0        0
NEWS CORP                         COMMON     65248E104      23493    1191950 SH      SOLE        904850      0   287100
NII HOLDINGS INC                  COMMON     62913F201      14339     783101 SH      SOLE        589365      0   193736
NN INC                            COMMON     629337106        391      47950 SH      SOLE         47950      0        0
NORDSTROM INC                     COMMON     655664100      13773     247190 SH      SOLE        221240      0    25950
NORTH AMERICAN ENERGY PARTNERS    COMMON     656844107        617     125850 SH      SOLE        125850      0        0
NORTHROP GRUMMAN CORP             COMMON     666807102      34182     559622 SH      SOLE        485469      0    74153
NRG ENERGY INC                    COMMON     629377508      12702     810616 SH      SOLE        611573      0   199043
NUCOR CORP                        COMMON     670346105       7569     176230 SH      SOLE        132455      0    43775
NV ENERGY INC                     COMMON     67073Y106      14572     903948 SH      SOLE        686850      0   217098
OCCIDENTAL PETROLEUM CORP         COMMON     674599105      23149     243085 SH      SOLE        183340      0    59745
OCEANEERING INTL INC              COMMON     675232102      12106     224637 SH      SOLE        206105      0    18532
OCEANFIRST FINL CORP              COMMON     675234108        481      33750 SH      SOLE         33750      0        0
OLD DOMINION FREIGHT LINES        COMMON     679580100      18382     385614 SH      SOLE        355007      0    30607
OMEGA HEALTHCARE INVS INC         COMMON     681936100      15418     725220 SH      SOLE        664730      0    60490
OMEGA PROTEIN CORP                COMMON     68210P107        388      50925 SH      SOLE         50925      0        0
OMNICARE INC                      COMMON     681904108        256       7200 SH      SOLE          7200      0        0
OSHKOSH CORP                      COMMON     688239201        297      12800 SH      SOLE         12800      0        0
OXFORD INDUSTRIES INC             COMMON     691497309      11272     221808 SH      SOLE        203639      0    18169
PANHANDLE OIL AND GAS INC         COMMON     698477106        419      14200 SH      SOLE         14200      0        0
PANTRY INC                        COMMON     698657103       9780     751753 SH      SOLE        691653      0    60100
PAR PHARMACEUTICAL COS INC        COMMON     69888P106      12893     332900 SH      SOLE        306415      0    26485
PARAMETRIC TECHNOLOGY CORP        COMMON     699173209      19242     688701 SH      SOLE        634301      0    54400
PARKER DRILLING                   COMMON     701081101         92      15400 SH      SOLE         15400      0        0
PARKER HANNIFIN CORP              COMMON     701094104      17526     207291 SH      SOLE        156420      0    50871
PARTNERRE LTD COM                 COMMON     G6852T105        268       3950 SH      SOLE          3950      0        0
PC CONNECTION                     COMMON     69318J100        383      46546 SH      SOLE         46546      0        0
PENFORD CORP                      COMMON     707051108        254      37500 SH      SOLE         37500      0        0
PEP BOYS MANNY MOE & JACK         COMMON     713278109      10742     720005 SH      SOLE        661910      0    58095
PETSMART INC COM                  COMMON     716768106        326       5700 SH      SOLE          5700      0        0
PFIZER INC                        COMMON     717081103      35368    1561852 SH      SOLE       1175961      0   385891
PG^E CORP                         COMMON     69331C108      67430    1553324 SH      SOLE       1266934      0   286390
PHH CORP                          COMMON     693320202      18696    1208537 SH      SOLE        991452      0   217085
PIER 1 IMPORTS INC                COMMON     720279108      16530     909257 SH      SOLE        834364      0    74893
PIKE ELEC CORP                    COMMON     721283109        380      46150 SH      SOLE         46150      0        0
PINNACLE WEST CAPITAL CORP        COMMON     723484101      76233    1591506 SH      SOLE       1283261      0   308245
PITNEY BOWES INC                  COMMON     724479100      17590    1000564 SH      SOLE        755479      0   245085
PLATINUM UNDERWRITERS HLDGS       COMMON     G7127P100       9983     273515 SH      SOLE        251792      0    21723
PNC FINANCIAL CORP                COMMON     693475105      23013     356839 SH      SOLE        268265      0    88574
PNM RES INC COM                   COMMON     69349H107        185      10100 SH      SOLE         10100      0        0
POLARIS INDS INC                  COMMON     731068102      26260     363965 SH      SOLE        274965      0    89000
PPG INDUSTRIES INC                COMMON     693506107       8466      88376 SH      SOLE         66526      0    21850
PREMIERE GLOBAL SVCS INC COM      COMMON     740585104        926     102450 SH      SOLE        102450      0        0
PRINCIPAL FINANCIAL GROUP INC     COMMON     74251V102      23172     785230 SH      SOLE        591080      0   194150
PROGRESS SOFTWARE CORP            COMMON     743312100      14736     623896 SH      SOLE        573241      0    50655
PROSPERITY BANCSHARES INC         COMMON     743606105      16463     359444 SH      SOLE        330547      0    28897
PRUDENTIAL FINANCIAL INC          COMMON     744320102      23277     367201 SH      SOLE        277116      0    90085
PUBLIC SVC ENTERPRISES            COMMON     744573106      13589     443950 SH      SOLE        334925      0   109025
PVH CORP                          COMMON     693656100      26244     293790 SH      SOLE        221490      0    72300
QEP RESOURCES INC.                COMMON     74733V100      37639    1234064 SH      SOLE       1034439      0   199625
QUICKSILVER RESOURCES INC COM     COMMON     74837R104         56      11050 SH      SOLE         11050      0        0
RADISYS CORP                      COMMON     750459109        405      54775 SH      SOLE         54775      0        0
RAMCO-GERSHENSON PPTYS TRUST      COMMON     751452202        690      56500 SH      SOLE         56500      0        0
RED ROBIN GOURMET BURGERS INCO    COMMON     75689M101        692      18600 SH      SOLE         18600      0        0
REGIS CORP                        COMMON     758932107      10639     577274 SH      SOLE        531379      0    45895
REINSURANCE GROUP AMERICA         COMMON     759351604      16161     271755 SH      SOLE        248935      0    22820
RELIANCE STEEL & ALUMINUM CO      COMMON     759509102       8461     149800 SH      SOLE        113727      0    36073
RENAISSANCERE HLDGS LTD           COMMON     G7496G103        257       3400 SH      SOLE          3400      0        0
REPUBLIC SVCS INC                 COMMON     760759100      10434     341428 SH      SOLE        310412      0    31016
ROCKY BRANDS INC                  COMMON     774515100        255      18725 SH      SOLE         18725      0        0
ROSS STORES INC                   COMMON     778296103      26035     448114 SH      SOLE        337652      0   110462
ROYAL DUTCH SHELL PLC             COMMON     780259206      49802     710143 SH      SOLE        588318      0   121825
RTI BIOLOGICS INC COM             COMMON     74975N105         59      15850 SH      SOLE         15850      0        0
RUBY TUESDAY INC                  COMMON     781182100      13927    1525425 SH      SOLE       1400340      0   125085
RUDDICK CORP                      COMMON     781258108      37620     938155 SH      SOLE        771858      0   166297
RYDER SYSTEM INC                  COMMON     783549108       3781      71605 SH      SOLE         66155      0     5450
S.Y. BANCORP INC                  COMMON     785060104       5964     257075 SH      SOLE        238708      0    18367
SAFEWAY INC                       COMMON     786514208      29082    1439000 SH      SOLE       1093550      0   345450
SAIA INC                          COMMON     78709Y105        876      51516 SH      SOLE         51516      0        0
SANOFI-AVENTIS                    COMMON     80105N105      41959    1082806 SH      SOLE        866433      0   216373
SAP AG ADR                        COMMON     803054204      59851     857220 SH      SOLE        643550      0   213670
SARA LEE CORP                     COMMON     803111103      46063    2139480 SH      SOLE       1732607      0   406873
SEACOR HOLDINGS INC               COMMON     811904101      43477     453925 SH      SOLE        372775      0    81150
SEACUBE CONTAINER LEASING LTSH    COMMON     G79978105        444      25800 SH      SOLE         25800      0        0
SELECT MED HLDGS CORP COM         COMMON     81619Q105         94      12200 SH      SOLE         12200      0        0
SEMPRA ENERGY CORP                COMMON     816851109      14549     242650 SH      SOLE        182875      0    59775
SIERRA WIRELESS INC               COMMON     826516106        807     110263 SH      SOLE        110263      0        0
SIGNET JEWELERS LIMITED           COMMON     G81276100      41035     867925 SH      SOLE        714126      0   153799
SLM CORP                          COMMON     78442P106      22810    1447325 SH      SOLE       1091375      0   355950
SMART BALANCE INC                 COMMON     83169Y108        300      45400 SH      SOLE         45400      0        0
SONOCO PRODUCTS                   COMMON     835495102      75939    2287310 SH      SOLE       1874794      0   412516
SOUTHSIDE BANCSHARES INC COM      COMMON     84470P109        666      30148 SH      SOLE         30148      0        0
SPANSION INC COM CL A NEW         COMMON     84649R200        140      11500 SH      SOLE         11500      0        0
SPARTAN STORES INC                COMMON     846822104      15881     876431 SH      SOLE        807761      0    68670
SPARTECH CORP COM NEW             COMMON     847220209        369      75650 SH      SOLE         75650      0        0
SPRINT CORP COM                   COMMON     852061100        174      60950 SH      SOLE         60950      0        0
STANDARD MTR PRODS INC            COMMON     853666105        766      43200 SH      SOLE         43200      0        0
STANDARD PARKING CORP             COMMON     853790103        685      33421 SH      SOLE         33421      0        0
STANDEX INTL CORP                 COMMON     854231107      25737     624829 SH      SOLE        573399      0    51430
STEEL DYNAMICS INC                COMMON     858119100       7642     525575 SH      SOLE        396500      0   129075
STEELCASE INC                     COMMON     858155203      72413    7542993 SH      SOLE       6377673      0  1165320
STEINWAY MUSICAL INSTRS INC OR    COMMON     858495104        408      16300 SH      SOLE         16300      0        0
STERIS CORP                       COMMON     859152100      13736     434405 SH      SOLE        397975      0    36430
STIFEL FINL CORP                  COMMON     860630102      12844     339433 SH      SOLE        310961      0    28472
SUPERVALU INC COM                 COMMON     868536103        194      34000 SH      SOLE         34000      0        0
SUREWEST COMMUNICATIONS           COMMON     868733106        860      38125 SH      SOLE         38125      0        0
SURMODICS INC COM                 COMMON     868873100        446      29000 SH      SOLE         29000      0        0
SUSSER HOLDINGS CORP              COMMON     869233106        406      15828 SH      SOLE         15828      0        0
SYKES ENTERPRISES INC             COMMON     871237103      13334     843906 SH      SOLE        775734      0    68172
SYMETRA FINL CORP COM             COMMON     87151Q106        115      10000 SH      SOLE         10000      0        0
SYMMETRICOM INC                   COMMON     871543104        405      70229 SH      SOLE         70229      0        0
SYMMETRY MED INC                  COMMON     871546206        607      85925 SH      SOLE         85925      0        0
SYNERGETICS USA INC               COMMON     87160G107        440      67700 SH      SOLE         67700      0        0
S^T BANCORP INC                   COMMON     783859101      10160     468431 SH      SOLE        430266      0    38165
TALISMAN ENERGY INC               COMMON     87425E103      23980    1903146 SH      SOLE       1434925      0   468221
TCF FINANCIAL CORP                COMMON     872275102      73113    6149075 SH      SOLE       5284385      0   864690
TECHTARGET INC COM                COMMON     87874R100        210      30300 SH      SOLE         30300      0        0
TECK RESOURCES LTD                COMMON     878742204       7733     216859 SH      SOLE        165125      0    51734
TECO ENERGY INC                   COMMON     872375100      14662     835423 SH      SOLE        630555      0   204868
TERRITORIAL BANCORP INC           COMMON     88145X108        409      19675 SH      SOLE         19675      0        0
TETRA TECHNOLOGIES INC            COMMON     88162F105         97      10300 SH      SOLE         10300      0        0
TGC INDUSTRIES INC                COMMON     872417308        206      20750 SH      SOLE         20750      0        0
TIDEWATER INC                     COMMON     886423102      26247     485871 SH      SOLE        446595      0    39276
TIME WARNER INC                   COMMON     887317303      11328     300080 SH      SOLE        285347      0    14733
TIMKEN CO                         COMMON     887389104      18293     360518 SH      SOLE        272893      0    87625
TOMPKINS TRUSTCO INC              COMMON     890110109       3798      94800 SH      SOLE         87237      0     7563
TORCHMARK CORP COM                COMMON     891027104        287       5750 SH      SOLE          5750      0        0
TOTAL SA                          COMMON     89151E109      23455     458827 SH      SOLE        344442      0   114385
TOTAL SYS SVCS INC COM            COMMON     891906109        247      10700 SH      SOLE         10700      0        0
TRACTOR SUPPLY CO                 COMMON     892356106      26433     291888 SH      SOLE        219150      0    72738
TRANSCEND SERVICES INC            COMMON     893929208        496      16900 SH      SOLE         16900      0        0
TRANSDIGM GROUP INC               COMMON     893641100      93013     803502 SH      SOLE        647170      0   156332
TRANSOCEAN LTD                    COMMON     H8817H100      22694     414890 SH      SOLE        313240      0   101650
TRAVELERS COMPANIES INC           COMMON     89417E109      21551     364029 SH      SOLE        275034      0    88995
TRW AUTOMOTIVE HLDGS CORP         COMMON     87264S106      20147     433741 SH      SOLE        327605      0   106136
TWO HARBORS INVT CORP             COMMON     90187B101      14755    1455155 SH      SOLE       1331530      0   123625
TYCO INTERNATIONAL LTD            COMMON     H89128104      22023     392005 SH      SOLE        349880      0    42125
TYSON FOODS INC CL A              COMMON     902494103        194      10150 SH      SOLE         10150      0        0
U S AIRWAYS GROUP INC             COMMON     90341W108      29389    3872095 SH      SOLE       3557199      0   314896
UFP TECHNOLOGIES INC COM          COMMON     902673102        238      12225 SH      SOLE         12225      0        0
UGI CORP                          COMMON     902681105      21695     796149 SH      SOLE        649669      0   146480
UNISOURCE ENERGY CORP             COMMON     909205106       9830     268811 SH      SOLE        246961      0    21850
UNITED BANKSHARES INC             COMMON     909907107       7695     266629 SH      SOLE        246009      0    20620
UNITED FINANCIAL BANCORP          COMMON     91030T109        406      25650 SH      SOLE         25650      0        0
UNITED STATIONERS INC             COMMON     913004107      36141    1164699 SH      SOLE       1067503      0    97196
UNITEDHEALTH GROUP INC            COMMON     91324P102      50663     859576 SH      SOLE        687854      0   171722
UNIVERSAL STAINLESS & ALLOY CO    COMMON     913837100        466      10900 SH      SOLE         10900      0        0
UNIVERSAL TRUCKLOAD SVCS INCCO    COMMON     91388P105        411      27286 SH      SOLE         27286      0        0
UNUMPROVIDENT CORP                COMMON     91529Y106      22848     933335 SH      SOLE        701385      0   231950
URS CORP                          COMMON     903236107     118854    2795242 SH      SOLE       2383110      0   412132
URSTADT BIDDLE PPTYS INC          COMMON     917286205        421      21350 SH      SOLE         21350      0        0
US ECOLOGY INC                    COMMON     91732J102        918      42221 SH      SOLE         42221      0        0
US PHYSICAL THERAPY INC           COMMON     90337L108        971      42126 SH      SOLE         42126      0        0
V.F. CORP                         COMMON     918204108      63004     431595 SH      SOLE        353710      0    77885
VALASSIS COMMUNICATIONS INC       COMMON     918866104       9704     421897 SH      SOLE        386132      0    35765
VALERO ENERGY CORP                COMMON     91913Y100      22503     873217 SH      SOLE        657650      0   215567
VALIDUS HOLDINGS LTD COM SHS      COMMON     G9319H102        249       8050 SH      SOLE          8050      0        0
VALLEY NATL BANCORP               COMMON     919794107      15394    1188705 SH      SOLE       1092645      0    96060
VECTREN CORP                      COMMON     92240G101      23457     807179 SH      SOLE        740769      0    66410
VEECO INSTRS INC DEL COM          COMMON     922417100        227       7950 SH      SOLE          7950      0        0
VIAD CORP                         COMMON     92552R406       9778     503254 SH      SOLE        463411      0    39843
VIRGINIA COMM BANCORP INC COM     COMMON     92778Q109        219      24950 SH      SOLE         24950      0        0
VIRTUSA CORP                      COMMON     92827P102        925      53575 SH      SOLE         53575      0        0
VISHAY PRECISION GROUP INC COM    COMMON     92835K103        397      26800 SH      SOLE         26800      0        0
WADDELL & REED FINL INC           COMMON     930059100      16863     520313 SH      SOLE        478189      0    42124
WALGREEN COMPANY                  COMMON     931422109      12271     366420 SH      SOLE        326920      0    39500
WAL-MART STORES INC               COMMON     931142103      17716     289483 SH      SOLE        272408      0    17075
WASHINGTON TRUST BANCORP          COMMON     940610108        712      29475 SH      SOLE         29475      0        0
WATTS WATER TECHNOLOGIES INCCL    COMMON     942749102        218       5350 SH      SOLE          5350      0        0
WELLPOINT INC                     COMMON     94973V107      37528     508508 SH      SOLE        383060      0   125448
WERNER ENTERPRISES INC            COMMON     950755108      73738    2966136 SH      SOLE       2480356      0   485780
WESCO INTL INC                    COMMON     95082P105        379       5800 SH      SOLE          5800      0        0
WEST BANCORPORATION INC           COMMON     95123P106        218      21825 SH      SOLE         21825      0        0
WEST MARINE INC                   COMMON     954235107        450      37600 SH      SOLE         37600      0        0
WESTAMERICA BANCORP               COMMON     957090103       3113      64864 SH      SOLE         60080      0     4784
WESTERN UNION CO                  COMMON     959802109      31494    1789444 SH      SOLE       1349050      0   440394
WSFS FINANCIAL CORP               COMMON     929328102       4988     121655 SH      SOLE        112205      0     9450
WYNDHAM WORLDWIDE CORP            COMMON     98310W108      94909    2040621 SH      SOLE       1630989      0   409632
YOUNG INNOVATIONS INC             COMMON     987520103        421      13601 SH      SOLE         13601      0        0
ZIMMER HLDGS INC                  COMMON     98956P102      34191     531915 SH      SOLE        400515      0   131400

LINE COUNT: 496                                         $  7,960,765